Largest NYSE Short Interest Percent Increases as of May 13

The following are the 200 largest short interest percent increases on the New York Stock Exchange as of the May 13 settlement date. This list includes securities with a short position of at least 200,000 shares.



Ticker                                                                     
Symbol   Company                        May 13        April 29     % Change   
=============================================================================
FTE      FRANCE TELEC-ADR             1,515,352       338,882       347.2
EZU      ISHARES-EMU INDX             1,123,143       328,327       242.1
NOC      NORTHROP GRUMMAN            26,727,017     8,188,750       226.4
CCK      CROWN HOLDINGS I             5,482,367     1,702,087       222.1
GSG      ISHARES S&P GSCI             2,300,175       718,008       220.4
UL       UNILEVER PLC-ADR             4,723,498     1,658,602       184.8
CXS      CREXUS INVESTMEN             1,773,740       692,799       156.0
CLNY     COLONY FINANCIAL             1,790,884       716,750       149.9
BVN      BUENAVENTURA-ADR             1,755,365       709,468       147.4
DSU      BLACKROCK-DEBT S               610,372       253,684       140.6
RDS/A    ROYAL DUTCH-ADR              8,583,037     3,622,519       136.9
NXY      NEXEN INC                    4,490,461     1,952,545       130.0
VIG      VANGUARD DVD A E               554,729       252,609       119.6
EWL      ISHARES-SWITZERL             1,379,664       630,831       118.7
SIX      SIX FLAGS ENTERT               749,590       353,896       111.8
BAM      BROOKFIELD ASS-A               447,663       214,921       108.3
KOL      MKT VECT-COAL                1,066,940       513,297       107.9
BND      VANGUARD TOTAL B               831,167       407,979       103.7
TLK      TELEKOMUNIKA-ADR               502,732       248,167       102.6
MOO      MKT VECT-AGRIBUS             1,343,850       665,117       102.0
EWG      ISHARES-GERMANY              4,909,896     2,453,543       100.1
CPF      CENTRAL PACIFIC                421,454       215,580        95.5
NBG      NATL BANK GR-ADR            11,566,214     6,076,461        90.3
BZ/WS    BOISE INC                      469,649       250,800        87.3
RDS/B    ROYAL DUTCH-ADR              5,358,926     2,866,222        87.0
UTR      UNITRIN INC                    408,037       219,138        86.2
UFS      DOMTAR CORP                  2,648,333     1,431,208        85.0
IM       INGRAM MICRO INC             3,916,442     2,137,397        83.2
PGX      POWERSH PREFERRD               424,496       232,413        82.6
FXC      CRYSHS-CAN DOLLA               959,577       534,456        79.5
TYC      TYCO INTL LTD                4,719,569     2,648,748        78.2
TEL      TE CONNECTIVITY              2,911,676     1,652,217        76.2
CLS      CELESTICA INC                1,104,913       638,729        73.0
SMI      SEMICONDUCTOR-AD               565,057       327,115        72.7
DZZ      PWR GOLD DBL SHR               360,585       209,053        72.5
WES      WESTERN GAS PART               392,642       229,022        71.4
BRP      BROOKFIELD RESID               620,725       370,267        67.6
DVY      ISHARES-DJ DIV                 389,756       232,745        67.5
ZSL      PRSH-ULTSH SILVE             4,610,030     2,780,754        65.8
BTM      BRASIL TELEC-ADR               351,950       213,160        65.1
SPW      SPX CORP                     1,137,225       692,249        64.3
ARR      ARMOUR RESIDENTI             1,071,494       652,901        64.1
AWK      AMERICAN WATER W             2,084,176     1,272,338        63.8
PNW      PINNACLE WEST                2,072,674     1,273,116        62.8
VEU      VANGUARD FTSE AL               971,314       597,316        62.6
TUP      TUPPERWARE BRAND             1,324,530       815,072        62.5
FIG      FORTRESS INVES-A             2,218,372     1,366,819        62.3
USNA     USANA HEALTH SCI             1,155,602       712,641        62.2
FXA      CRYSHS-AUS DOL T               472,534       292,869        61.3
DIG      PROSHARES ULTRA                585,301       364,103        60.8
OI       OWENS-ILLINOIS               5,296,310     3,331,913        59.0
TSM      TAIWAN SEMIC-ADR            23,116,416    14,641,887        57.9
IWD      ISHARES-RS 1K VL             2,134,427     1,355,467        57.5
TEF      TELEFONICA-ADR               2,923,508     1,859,740        57.2
BAX      BAXTER INTL INC              8,785,327     5,614,898        56.5
GA       GIANT INTERA-ADR             1,366,855       875,172        56.2
DPM      DCP MIDSTREAM PA               375,216       241,620        55.3
IHG      INTERCONTIN-ADR              1,391,909       899,052        54.8
MUR      MURPHY OIL CORP              3,812,576     2,464,623        54.7
CUK      CARNIVAL PLC-ADR               547,506       354,551        54.4
ETP      ENERGY TRANSF PA               764,357       495,155        54.4
AGQ      PRSH-ULT SILVER                455,458       295,725        54.0
HS       HEALTHSPRING INC             3,602,250     2,345,569        53.6
CKH      SEACOR HOLDINGS                484,499       316,616        53.0
ABB      ABB LTD-ADR                  2,738,778     1,801,461        52.0
MHS      MEDCO HEALTH SOL             8,718,324     5,739,125        51.9
LYG      LLOYDS BANKING G             1,839,461     1,211,133        51.9
CP       CANADIAN PACIFIC             1,795,592     1,187,848        51.2
NTT      NIPPON TELEG-ADR             1,392,617       921,594        51.1
AGG      ISHARES BARCLAYS             1,482,488       981,710        51.0
AXP      AMERICAN EXPRESS            18,415,064    12,198,521        51.0
NOA      NORTH AMERICAN E               432,600       287,210        50.6
EFX      EQUIFAX INC                  1,868,589     1,240,682        50.6
HIT      HITACHI LTD-ADR                721,450       480,162        50.3
PPA      POWERSH-AERO&DEF             3,805,439     2,533,626        50.2
NLC      NALCO HLDG CO                3,595,247     2,428,252        48.1
EXG      EATON VANCE TAX-               352,883       238,817        47.8
HSP      HOSPIRA INC                  5,845,074     3,990,790        46.5
ARCO     ARCOS DORADOS-A              1,315,751       899,301        46.3
PPH      PHARMACEUT HOLDR             3,452,343     2,373,492        45.5
VE       VEOLIA ENVI-ADR                983,369       676,797        45.3
KIE      SPDR KBW INSURAN             2,367,331     1,632,852        45.0
IYZ      ISHARES-DJ TELEC               569,639       393,628        44.7
LAZ      LAZARD LTD-CL A                886,873       614,282        44.4
BAP      CREDICORP LTD                1,494,637     1,039,772        43.7
MJN      MEAD JOHNSON                 2,329,736     1,622,501        43.6
WLP      WELLPOINT INC                7,651,176     5,329,663        43.6
EC       ECOPETROL-SP ADR             1,053,807       735,408        43.3
FGP      FERRELLGAS-LP                  288,708       201,686        43.1
FXD      FIRST TR CONS DS               307,178       214,614        43.1
MCD      MCDONALDS CORP              10,175,356     7,111,963        43.1
PAA      PLAINS ALL AMER                645,924       451,677        43.0
VNM      MKT VECT-VIETNAM               692,422       484,521        42.9
CCI      CROWN CASTLE INT             8,237,950     5,783,622        42.4
IHI      ISHARES-DJ MED D               524,673       368,651        42.3
DTO      POWERSH OIL 2X                 457,748       323,611        41.5
PH       PARKER HANNIFIN              1,992,372     1,409,271        41.4
WMG      WARNER MUSIC GRO             5,276,350     3,733,437        41.3
DBC      POWERSHARES DB C             2,045,377     1,448,101        41.2
SSW      SEASPAN CORP                 1,201,648       851,603        41.1
DEO      DIAGEO PLC-ADR                 787,766       558,533        41.0
ACE      ACE LTD                      2,875,818     2,046,220        40.5
RWR      SPDR DOW JONES R               356,747       254,256        40.3
TX       TERNIUM SA-ADR                 579,415       415,603        39.4
VQ       VENOCO INC                   1,641,609     1,177,832        39.4
UAM      UNIVERSAL AMERIC             1,473,872     1,058,265        39.3
MOS      MOSAIC CO/THE                4,029,348     2,898,851        39.0
CNH      CNH GLOBAL NV                  407,844       294,252        38.6
FTO      FRONTIER OIL                 4,676,145     3,375,353        38.5
TV       GRUPO TELEV-ADR              4,712,616     3,407,521        38.3
SWK      STANLEY BLACK &              3,285,910     2,376,831        38.2
HYF      MANAGED HI YLD +               295,044       213,424        38.2
VR       VALIDUS HOLDINGS             1,340,134       969,651        38.2
ARW      ARROW ELECTRONIC             2,571,236     1,861,921        38.1
TE       TECO ENERGY INC              5,614,909     4,067,250        38.1
GPK      GRAPHIC PACKAGIN             4,739,275     3,438,028        37.8
OIH      OIL SVC HLDRS TR             6,807,115     4,951,169        37.5
UNP      UNION PAC CORP               6,596,305     4,797,866        37.5
QEP      QEP RESOURCES IN             3,579,766     2,611,882        37.1
BPL      BUCKEYE PARTNERS               291,566       213,928        36.3
EMR      EMERSON ELEC CO              6,625,556     4,888,333        35.5
KRO      KRONOS WORLDWIDE               301,771       222,774        35.5
DLB      DOLBY LABORATO-A             3,219,535     2,379,332        35.3
KGC      KINROSS GOLD                 4,144,819     3,064,506        35.3
DUF      DUFF & PHELPS-A              1,190,904       883,589        34.8
SNN      SMITH & NEPH-ADR               381,269       283,359        34.6
NRP      NATURAL RESOURCE               275,453       204,777        34.5
TBT      PROSHARES ULTRAS            17,807,628    13,244,424        34.5
IEO      ISHARES-DJ O&G                 754,499       561,330        34.4
NRGY     INERGY LP                      583,150       434,293        34.3
SCCO     SOUTHERN COPPER              4,087,170     3,049,487        34.0
NYX      NYSE EURONEXT                6,467,981     4,827,921        34.0
IWS      ISHARES-RUS M V                708,598       529,293        33.9
MBT      MOBILE TELES-ADR             4,441,129     3,325,276        33.6
OKE      ONEOK INC                    3,164,709     2,373,238        33.3
AJG      ARTHUR J GALLAGH             1,060,483       796,174        33.2
KMR      KINDER MORGAN MA             1,266,542       951,273        33.1
GSK      GLAXOSMITHKL-ADR             5,145,227     3,865,217        33.1
PPR      ING PR RATE TR                 284,179       213,801        32.9
SWN      SOUTHWESTRN ENGY            14,315,525    10,772,821        32.9
ENI      ENERSIS SA-ADR                 391,056       294,438        32.8
PTI      PATNI COMPUT-ADR               763,970       576,187        32.6
IP       INTL PAPER CO               12,714,791     9,602,478        32.4
G        GENPACT LTD                  2,575,530     1,946,797        32.3
HRS      HARRIS CORP                  9,723,113     7,355,570        32.2
AUO      AU OPTR-SPON ADR             6,229,177     4,713,768        32.1
ABH      ABITIBIBOWATER               2,577,543     1,955,063        31.8
BOE      BLACKROCK GL O T               363,170       275,860        31.7
DDM      PROSHARES ULTRAD               330,432       251,209        31.5
KKR      KKR & CO LP                  2,123,523     1,614,638        31.5
OXY      OCCIDENTAL PETE              7,250,391     5,513,770        31.5
CAH      CARDINAL HEALTH              4,012,583     3,052,589        31.4
PVX      PROVIDENT ENERGY             1,162,354       886,358        31.1
CIE      COBALT INTERNATI             6,734,929     5,144,511        30.9
VG       VONAGE HOLDINGS              7,160,280     5,480,488        30.7
TAL      TAL INTERNATIONA             1,292,155       990,336        30.5
PRU      PRUDENTL FINL                4,488,871     3,444,466        30.3
PFF      ISHARES S&P PREF             1,105,955       848,761        30.3
ISS      ISOFTSTONE -ADS                768,191       589,606        30.3
GLD      SPDR GOLD TRUST             25,303,936    19,443,917        30.1
GOL      GOL-ADR                      4,750,446     3,652,573        30.1
XME      SPDR S&P MET & M             8,746,892     6,727,389        30.0
STJ      ST JUDE MEDICAL              3,659,944     2,814,949        30.0
JNY      JONES GROUP INC              7,582,607     5,844,022        29.7
PEB      PEBBLEBROOK HOTE             2,290,546     1,769,425        29.5
SYT      SYNGENTA AG-ADR                536,876       414,741        29.4
GSI      GENERAL STEEL HO             1,161,495       898,890        29.2
CL       COLGATE-PALMOLIV             5,337,685     4,138,528        29.0
DW       DREW INDS INC                  955,913       741,198        29.0
CYT      CYTEC INDS                   2,477,137     1,921,884        28.9
ECH      ISHARES MSCI CHI               641,119       497,914        28.8
VPL      VANGUARD MSCI PA               800,377       622,049        28.7
MHP      MCGRAW-HILL COS              7,054,331     5,496,000        28.4
CCO      CLEAR CHANNEL-A                440,964       344,258        28.1
ABV      AMBEV-PRF ADR                8,191,783     6,404,822        27.9
LEG      LEGGETT & PLATT              5,432,435     4,263,873        27.4
OHI      OMEGA HEALTHCARE             5,985,207     4,700,062        27.3
BKI      BUCKEYE TECH INC             1,425,717     1,119,932        27.3
XLB      SPDR-MATERIALS              29,478,483    23,205,263        27.0
LSI      LSI CORP                    14,243,307    11,214,799        27.0
SU       SUNCOR ENERGY                9,204,345     7,250,938        26.9
TSU      TIM PARTICIP-ADR             2,402,884     1,893,898        26.9
FUR      WINTHROP REALTY                959,700       756,457        26.9
THC      TENET HEALTHCARE            20,379,865    16,084,952        26.7
SMN      PROSHARES ULTRAS               452,441       357,340        26.6
GKK      GRAMERCY CAPITAL               319,334       252,385        26.5
GM       GENERAL MOTORS C            41,465,732    32,786,022        26.5
YPF      YPF SA-ADR                     543,469       429,730        26.5
WX       WUXI PHARMAT-ADR               352,693       279,032        26.4
SID      SID NACIONAL-ADR            13,697,310    10,838,100        26.4
VUG      VANGUARD GRW ETF               291,107       230,710        26.2
PEP      PEPSICO INC                 12,119,472     9,608,557        26.1
MMC      MARSH & MCLENNAN             5,196,740     4,126,355        25.9
JBL      JABIL CIRCUIT                8,658,957     6,877,571        25.9
CHMT     CHEMTURA CORP                  951,647       755,883        25.9
VSH      VISHAY INTERTECH            16,819,656    13,369,981        25.8
VIT      VANCEINFO TE-ADR             2,949,844     2,345,043        25.8
EPD      ENTERPRISE PRODU             3,174,677     2,526,855        25.6
MRK      MERCK & CO                  26,556,199    21,165,438        25.5
PCEF     POWERSH CEF INC                502,867       401,178        25.3

*-- Data includes ETF positions.

-- Bloomberg News To contact Bloomberg News for this story: +1-212-318-2000 or newsdev@bloomberg.net

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